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LOGC
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Registration
ordinary
Share
KZ1C00000892
JSC "LOGYCOM"
Trades
Characteristics of the securities
Prospectuses
News
Trades
Other securities JSC "LOGYCOM"
Symbol
ISIN
Board
Sector
Category
Trades
Index
LOGC
KZ1C00000892
main
shares
standard
07.03.13
–
LOGCb3
KZ2C00008878
main
debt securities
облигации
–
–
LOGCb4
KZ2C00008886
main
debt securities
облигации
31.03.23
–
Characteristics of the securities
Trading code:
LOGC
List of securities:
official, category "standard"
Quotation currency:
KZT
Quotation accuracy:
2 characters
Listing date:
11.12.12
Trades opening date:
07.03.13
Market Makers:
absent
Company:
JSC "LOGYCOM"
Share type:
ordinary
CFI:
ESVUPR
ISIN:
KZ1C00000892
BBGID:
BBG003Q5YLP2
Issue registration date:
20.07.09
Registrar:
Central securities depository JSC (Almaty)
Dividends:
payment history
Number of shares outstanding:
3 815 240
Issue currency:
KZT
Face value:
660,00
Dividend payment period:
annual
News
Highlighted news contain information on the company ratings
23.10.23 12:18
Extract from LOGYCOM's shareholder registers as of October 1, 2023 provided
24.08.23 14:32
Sole shareholder of LOGYCOM decides not to pay dividends on company's ordinary shares for 2022
31.07.23 12:37
Extract from LOGYCOM's shareholder registers as of July 1, 2023 provided
19.06.23 15:35
From June 20, trading in bonds KZ2C00008886 (LOGCb4) of LOGYCOM will be resumed on KASE
08.06.23 16:10
From June 8, trades in bonds KZ2C00008886 (LOGCb4) of LOGYCOM suspended on KASE
08.06.23 12:36
Holders of bonds KZ2C00008886 (LOGCb4) of LOGYCOM made decision to amend bond issue prospectus
30.05.23 16:21
Auditor's report on 2022 consolidated financial statements of LOGYCOM released
24.05.23 11:00
General meeting of holders of bonds KZ2C00008886 (LOGCb4) of LOGYCOM scheduled for June 6
24.04.23 16:46
Extract from LOGYCOM's shareholder registers as of April 1, 2023 provided
30.03.23 11:23
From March 31, trades in bonds KZ2C00008886 (LOGCb4) OF LOGYCOM open on KASE
All issuer news
№
Дата протокола
или решения
Дата и время
фиксации реестра
Период, за который
выплачиваются дивиденды
Размер дивиденда
на одну акцию
Сумма выплаты
в валюте выпуска
Дата начала
выплаты дивидендов
1
20.05.09
–
01.01.08 – 31.12.08
–
не выплачивались
–
2
26.05.10
–
01.01.09 – 31.12.09
–
не выплачивались
–
3
31.05.11
–
01.01.10 – 31.12.10
–
не выплачивались
–
4
09.07.12
–
01.01.11 – 31.12.11
14.0
29 389 700,00
10.07.12
5
30.07.13
–
01.01.12 – 31.12.12
–
не выплачивались
–
6
10.06.15
–
01.01.14 – 31.12.14
25.0
52 481 600,00
01.07.15
7
28.12.17
–
01.01.16 – 31.12.16
0.0
не выплачивались
–
8
19.07.19
–
01.01.18 – 31.12.18
18.1
не выплачивались
20.07.19
9
17.08.19
–
01.01.19 – 31.12.19
–
не выплачивались
–
10
05.08.21
–
01.01.20 – 31.12.20
–
не выплачивались
–
11
22.08.23
–
01.01.22 – 31.12.22
–
не выплачивались
–
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